Frequency - Quaterly

Dividend Date Revenew Currency Payment Date
24/03/14 0.8094 EUR 24/03/27
23/12/14 0.7887 EUR 23/12/29
23/09/14 0.7785 EUR 23/09/27
23/06/15 0.7036 EUR 23/06/28
23/03/16 0.5945 EUR 23/03/29
23/03/16 0.5945 EUR 23/03/29
22/12/15 0.4432 EUR 22/12/30
22/09/15 0.3149 EUR 22/09/28
22/06/16 0.2591 EUR 22/06/29
22/03/17 0.2283 EUR 22/03/30
21/12/16 0.2245 EUR 21/12/31
21/09/16 0.2462 EUR 21/09/29
21/06/17 0.2617 EUR 21/06/30
21/03/11 0.2798 EUR 21/03/24
20/12/10 0.2956 EUR 20/12/23
20/09/17 0.3113 EUR 20/09/30
20/06/11 0.3034 EUR 20/06/24
20/03/12 0.2901 EUR 20/03/25
19/12/12 0.3232 EUR 19/12/27
19/09/12 0.3312 EUR 19/09/25
19/06/13 0.3396 EUR 19/06/26
19/03/14 0.3806 EUR 19/03/27
18/12/13 0.3633 EUR 18/12/28
18/09/13 0.3739 EUR 18/09/26
18/06/14 0.3782 EUR 18/06/27
18/03/15 0.3485 EUR 18/03/28
17/12/14 0.3589 EUR 17/12/29
17/09/14 0.3682 EUR 17/09/29
17/06/15 0.3806 EUR 17/06/30
17/03/16 0.3697 EUR 17/03/31
16/12/15 0.3837 EUR 16/12/30
16/09/15 0.4004 EUR 16/09/30
16/06/16 0.4449 EUR 16/06/29
16/03/10 0.4898 EUR 16/03/29
15/12/10 0.5217 EUR 15/12/30
15/08/27 0.5038 EUR 15/09/17
15/05/28 0.5095 EUR 15/06/18
15/02/26 0.5251 EUR 15/03/19
14/11/27 0.7016 EUR 14/12/18
14/08/20 0.6986 EUR 14/09/10
14/05/21 0.6607 EUR 14/06/11
14/02/26 0.7452 EUR 14/03/19
13/11/27 0.7657 EUR 13/12/18
13/08/28 0.771 EUR 13/09/18
13/05/29 0.8707 EUR 13/06/19
13/02/20 0.8484 EUR 13/03/13
12/11/21 0.9055 EUR 12/12/12
12/08/22 0.9094 EUR 12/09/12
12/05/23 0.9895 EUR 12/06/13
12/02/22 1.035 EUR 12/03/21
11/11/23 1.0409 EUR 11/12/21
11/08/24 1.0429 EUR 11/09/21
11/05/25 1.001 EUR 11/06/22
11/02/23 1.0661 EUR 11/03/23
10/11/24 1.0557 EUR 10/12/22
10/08/25 1.1588 EUR 10/09/22
10/05/26 1.1724 EUR 10/06/23
10/02/24 1.1865 EUR 10/03/24
09/11/25 1.2218 EUR 09/12/23
09/08/26 1.2941 EUR 09/09/23
09/05/27 1.3615 EUR 09/06/24
09/02/25 1.3968 EUR 09/03/25
08/11/26 1.3292 EUR 08/12/24
08/08/27 1.5156 EUR 08/09/24
08/05/28 1.4349 EUR 08/06/25
08/02/27 1.3146 EUR 08/03/26
07/11/28 1.2147 EUR 07/12/24
07/08/29 1.2067 EUR 07/09/26
07/05/30 1.1698 EUR 07/06/27
07/02/28 1.1175 EUR 07/03/28
06/11/29 1.0916 EUR 06/12/28
06/08/30 1.1286 EUR 06/09/28
06/05/31 1.1677 EUR 06/06/30
06/03/01 1.1586 EUR 06/03/30
05/11/30 1.1891 EUR 05/12/22
05/08/31 1.2896 EUR 05/09/27
05/05/25 1.2515 EUR 05/06/23
05/02/23 1.24 EUR 05/03/24
04/12/01 1.3245 EUR 04/12/21
04/09/01 1.3407 EUR 04/09/24
04/06/02 1.4995 EUR 04/06/25
 

Dividends paid by Standard ETF Ishares Corp Bond Lar Cap Ucits Etf Dist


The Exchange accepts no responsability for the content of the website you are now accessing or for any reliance placed by you or any person on the information contained on it.

By allowing this link the Exchange does not intend in any country, directly or indirectly, to solicit business or offer any securities to any person.


You will be redirected in five seconds.